Name Changes. At least thirty (30) days before any change in any Originator’s or the Borrower’s name, jurisdiction of organization or any other change requiring the amendment of UCC financing statements.
Name Changes. At least thirty (30) days before any change in the Seller’s name or any other change requiring the amendment of UCC financing statements, a notice setting forth such changes and the effective date thereof.
Name Changes. Effective May 1, 2014 the following Portfolio’s names shall be changed as follows: Current Name New Name EQ/Large Cap Value PLUS AXA Large Cap Value Managed Volatility EQ/Large Cap Core PLUS AXA Large Cap Core Managed Volatility EQ/Large Cap Growth PLUS AXA Large Cap Growth Managed Volatility EQ/International Core PLUS AXA International Core Managed Volatility EQ/Global Multi-Sector Equity AXA Global Equity Managed Volatility EQ/Mid Cap Value PLUS AXA Mid Cap Value Managed Volatility EQ/International Value PLUS AXA International Value Managed Volatility EQ/Mutual Large Cap Equity AXA/Mutual Large Cap Equity Managed Volatility EQ/Xxxxxxxxx Global Equity AXA/Xxxxxxxxx Global Equity Managed Volatility EQ/AXA Franklin Small Cap Value Core AXA/Franklin Small Cap Value Managed Volatility EQ/Franklin Xxxxxxxxx Allocation AXA/Franklin Xxxxxxxxx Allocation Managed Volatility EQ/Franklin Core Balanced AXA/Franklin Balanced Managed Volatility AXA Tactical Manager 500 AXA 500 Managed Volatility AXA Tactical Manager 400 AXA 400 Managed Volatility AXA Tactical Manager 2000 AXA 2000 Managed Volatility AXA Tactical Manager International AXA International Managed Volatility ATM Large Cap ATM Large Cap Managed Volatility ATM Mid Cap ATM Mid Cap Managed Volatility ATM Small Cap ATM Small Cap Managed Volatility ATM International ATM International Managed Volatility
Name Changes. Any change in any Originator’s name, jurisdiction of organization or any other change requiring the amendment of UCC financing statements or similar filings.
Name Changes. The names of the MarketPLUS International Core Portfolio, MarketPLUS Large Cap Growth Portfolio, MarketPLUS Large Cap Core Portfolio and MarketPLUS Mid Cap Value Portfolio are changed to EQ/International Core PLUS Portfolio, EQ/Large Cap Growth PLUS Portfolio, EQ/Large Cap Core PLUS Portfolio and EQ/Mid Cap Value PLUS Portfolio, respectively.
Name Changes. At least thirty (30) days (or such shorter period of time as the Administrative Agent may agree) before any change in the Seller’s name, jurisdiction of organization or any other change requiring the amendment of UCC financing statements.
Name Changes. The names of the EQ/AllianceBernstein Large Cap Growth Portfolio, EQ/Xxxx Xxxxx Value Equity Portfolio, EQ/FI Mid Cap Portfolio, EQ/AllianceBernstein Quality Bond Portfolio, EQ/AllianceBernstein Value Portfolio, EQ/AllianceBernstein Intermediate Government Securities Portfolio and EQ/JPMorgan Core Bond Portfolio are changed to EQ/Large Cap Growth Index Portfolio, EQ/Large Cap Value Index Portfolio, EQ/Mid Cap Index Portfolio, EQ/Quality Bond PLUS Portfolio, EQ/Large Cap Value PLUS Portfolio, EQ/Intermediate Government Bond Index Portfolio and EQ/Core Bond Index Portfolio, respectively.
Name Changes. Effective [ , 2014], the following Portfolio’s names shall be changed as follows: Current Name New Name Multimanager Multi-Sector Bond Portfolio CharterSM Multi-Sector Bond Portfolio Multimanager Small Cap Growth Portfolio CharterSM Small Cap Growth Portfolio Multimanager Small Cap Value Portfolio CharterSM Small Cap Value Portfolio
Name Changes. The names of the EQ/Enterprise Moderate Allocation Portfolio and EQ/TCW Equity Portfolio are changed to the All Asset Allocation Portfolio and the EQ/X. Xxxx Price Growth Stock Portfolio, respectively.
Name Changes. Effective April 30, 2012 the name of All Asset Allocation Portfolio will change to All Asset Growth-Alt 20 Portfolio. Effective October 2011, the names of ATM Core Bond Portfolio and ATM Government Bond Portfolio were changed to EQ/AllianceBernstein Short-Term Bond Portfolio and EQ/AllianceBernstein Short-Term Government Bond Portfolio, respectively.